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Weboldalunk a Bamosz (www.bamosz.hu) által szolgáltatott adatokat tartalmazza. Az adatok helyességéről és aktualitásáról érdeklődjön az alapkezelőnél. A leírtak nem minősülnek ajánlattételnek.

Kezdő időpont: 2023-12-29

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Takarék Dollar Real Estate Fund of Funds
Évesített hozam: 3,58%

dátum azonosító árfolyam* eszközérték
2024-04-25HU00007207921,2330789.067.850
2024-04-24HU00007207921,2317349.057.960
2024-04-23HU00007207921,2313539.055.160
2024-04-22HU00007207921,2311739.053.840
2024-04-19HU00007207921,2308409.052.800
2024-04-18HU00007207921,2311909.054.880
2024-04-17HU00007207921,2309809.054.750
2024-04-16HU00007207921,2310179.055.030
2024-04-15HU00007207921,2321759.063.540
2024-04-12HU00007207921,2321619.063.440

2024-04-11HU00007207921,2323399.064.750
2024-04-10HU00007207921,2326129.067.680
2024-04-09HU00007207921,2327929.069.000
2024-04-08HU00007207921,2322539.065.040
2024-04-05HU00007207921,2320219.073.820
2024-04-04HU00007207921,2319009.072.930
2024-04-03HU00007207921,2314689.102.180
2024-04-02HU00007207921,2309979.098.700
2024-03-28HU00007207921,2304969.096.020
2024-03-27HU00007207921,2308429.093.580
2024-03-26HU00007207921,2304989.091.030
2024-03-25HU00007207921,2300889.088.000
2024-03-22HU00007207921,2297139.152.440
2024-03-21HU00007207921,2303609.162.160
2024-03-20HU00007207921,2293369.149.540
2024-03-19HU00007207921,2291169.147.900
2024-03-18HU00007207921,2292529.180.980
2024-03-14HU00007207921,2292379.180.870
2024-03-13HU00007207921,2282639.173.600
2024-03-12HU00007207921,2280509.172.000
2024-03-11HU00007207921,2275769.168.470
2024-03-08HU00007207921,2272499.002.950
2024-03-07HU00007207921,2270279.001.320
2024-03-06HU00007207921,2267378.999.200
2024-03-05HU00007207921,2261549.149.100
2024-03-04HU00007207921,2257699.146.230
2024-03-01HU00007207921,2253069.151.940
2024-02-29HU00007207921,2248389.138.010
2024-02-28HU00007207921,2242149.151.220
2024-02-27HU00007207921,2244019.144.470
2024-02-26HU00007207921,2239859.141.370
2024-02-23HU00007207921,2237499.139.610
2024-02-22HU00007207921,2240309.208.210
2024-02-21HU00007207921,2238439.206.800
2024-02-20HU00007207921,2239889.206.780
2024-02-19HU00007207921,2235139.203.210
2024-02-16HU00007207921,2234439.202.690
2024-02-15HU00007207921,2232199.201.000
2024-02-14HU00007207921,2232169.192.850
2024-02-13HU00007207921,2236429.200.630
2024-02-12HU00007207921,2233669.198.550
2024-02-09HU00007207921,2228889.194.960
2024-02-08HU00007207921,2232639.197.780
2024-02-07HU00007207921,2229969.175.600
2024-02-06HU00007207921,2225199.152.520
2024-02-05HU00007207921,2225699.142.990
2024-02-02HU00007207921,2231799.147.550
2024-02-01HU00007207921,2223189.141.120
2024-01-31HU00007207921,2223369.141.250
2024-01-30HU00007207921,2211979.132.730
2024-01-29HU00007207921,2205709.137.900
2024-01-26HU00007207921,2203679.136.380
2024-01-25HU00007207921,2206089.138.180
2024-01-24HU00007207921,2207019.136.930
2024-01-23HU00007207921,2201469.160.480
2024-01-22HU00007207921,2199389.153.910
2024-01-19HU00007207921,2200549.154.780
2024-01-18HU00007207921,2203039.156.650
2024-01-17HU00007207921,2199029.153.640
2024-01-16HU00007207921,2198139.152.970
2024-01-15HU00007207921,2201799.155.720
2024-01-12HU00007207921,2196929.152.060
2024-01-11HU00007207921,2195909.151.300
2024-01-10HU00007207921,2195689.151.140
2024-01-09HU00007207921,2194909.171.240
2024-01-08HU00007207921,2194969.171.280
2024-01-05HU00007207921,2194329.170.810
2024-01-04HU00007207921,2195069.186.040
2024-01-03HU00007207921,2191509.183.360
2024-01-02HU00007207921,2194939.185.940
2023-12-29HU00007207921,2189899.182.140